| |
2009
R’000 |
2008
R’000 |
2007
R’000 |
2006
R’000 |
2005
R’000 |
2004
R’000 |
2003
R’000 |
2002
R’000 |
2001
R’000 |
2000
R’000 |
| BALANCE SHEET |
|
|
|
|
|
|
|
|
|
|
| Assets |
|
|
|
|
|
|
|
|
|
|
| Non-current assets |
|
|
|
|
|
|
|
|
|
|
| Property, plant and equipment |
322 610 |
422 156 |
389 618 |
349 468 |
315 029 |
345 663 |
328 675 |
325 064 |
305 250 |
274 936 |
| Intangible assets |
860 812 |
851 429 |
799 591 |
763 329 |
700 410 |
281 752 |
261 441 |
263 167 |
207 776 |
7 354 |
| Investments in associates |
720 580 |
779 995 |
11 215 |
1 174 396 |
899 552 |
22 333 |
18 978 |
11 638 |
9 557 |
7 954 |
| Other investments |
3 864 909 |
3 524 859 |
4 751 455 |
2 898 614 |
1 162 173 |
7 177 |
36 707 |
52 697 |
59 090 |
146 749 |
| Financial assets – derivative financial instruments |
— |
3 242 |
— |
— |
— |
— |
— |
— |
— |
— |
| Deferred taxation |
33 671 |
93 375 |
50 173 |
30 972 |
21 165 |
44 177 |
45 795 |
46 056 |
42 116 |
— |
| Total non-current assets |
5 802 582 |
5 675 056 |
6 002 052 |
5 216 779 |
3 098 329 |
701 102 |
691 596 |
698 622 |
623 789 |
436 993 |
| Total current assets |
1 262 554 |
1 672 516 |
1 997 238 |
1 092 872 |
668 582 |
1 100 957 |
1 121 579 |
1 296 314 |
1 548 528 |
1 259 008 |
| Total assets |
7 065 136 |
7 347 572 |
7 999 290 |
6 309 651 |
3 766 911 |
1 802 059 |
1 813 175 |
1 994 936 |
2 172 317 |
1 696 001 |
| Equity and liabilities |
|
|
|
|
|
|
|
|
|
|
| Capital and reserves |
|
|
|
|
|
|
|
|
|
|
| Share capital and reserves |
3 839 888 |
3 820 259 |
5 689 390 |
4 576 270 |
2 669 355 |
1 003 458 |
938 236 |
863 017 |
905 787 |
469 883 |
| Minority interest |
177 656 |
123 229 |
311 100 |
217 540 |
1 075 |
614 |
31 242 |
19 590 |
21 179 |
79 781 |
| Total shareholders’ equity |
4 017 544 |
3 943 488 |
6 000 490 |
4 793 810 |
2 670 430 |
1 004 072 |
969 478 |
882 607 |
926 966 |
549 664 |
| Non-current liabilities |
|
|
|
|
|
|
|
|
. |
|
| Interest-bearing liabilities |
1 700 627 |
813 706 |
407 970 |
325 402 |
275 988 |
69 332 |
160 211 |
213 499 |
254 915 |
22 187 |
| Non-interest-bearing liabilities |
— |
2 653 |
1 400 |
7 066 |
10 336 |
3 395 |
— |
— |
— |
— |
| Financial liabilities – derivative financial instruments |
34 199 |
|
|
|
|
|
|
|
|
|
| Deferred taxation |
475 997 |
402 375 |
628 778 |
378 354 |
93 167 |
12 570 |
8 243 |
6 277 |
9 157 |
3 430 |
| Total non-current liabilities |
2 210 823 |
1 218 734 |
1 038 148 |
710 822 |
379 491 |
85 297 |
168 454 |
219 776 |
264 072 |
25 617 |
| Total current liabilities |
836 769 |
2 185 350 |
960 652 |
805 019 |
716 990 |
712 690 |
675 243 |
892 553 |
981 279 |
1 120 720 |
| Total equity and liabilities |
7 065 136 |
7 347 572 |
7 999 290 |
6 309 651 |
3 766 911 |
1 802 059 |
1 813 175 |
1 994 936 |
2 172 317 |
1 696 001 |
| INCOME STATEMENT |
|
|
|
|
|
|
|
|
|
|
| Revenue |
3 745 662 |
3 538 918 |
3 461 586 |
3 102 432 |
3 221 310 |
3 487 126 |
3 189 576 |
2 911 107 |
5 559 588 |
4 741 490 |
| EBITDA |
373 989 |
394 183 |
372 004 |
365 648 |
312 692 |
374 581 |
364 252 |
327 387 |
418 572 |
350 656 |
| Depreciation, amortisation and impairment |
(118 399) |
(147 436) |
(130 379) |
(103 444) |
(111 673) |
(104 058) |
(87 858) |
(72 155) |
(66 351) |
(43 415) |
| Profit from operations |
255 590 |
246 747 |
241 625 |
262 204 |
201 019 |
270 523 |
276 394 |
255 232 |
352 221 |
307 241 |
| Impairment of goodwill |
— |
(11 486) |
— |
— |
(34 809) |
(16 991) |
(14 347) |
(13 952) |
(10 525) |
— |
| Dividend income |
50 487 |
11 213 |
11 590 |
3 575 |
1 064 |
3 895 |
17 222 |
17 117 |
20 718 |
24 523 |
| Fair value adjustments and net profit/(loss) from investments |
314 976 |
(1 631 318) |
1 487 933 |
849 777 |
268 088 |
— |
— |
— |
— |
— |
| Share of (loss)/profit from associates |
(34 131) |
(526 262) |
669 |
279 716 |
116 622 |
783 |
130 |
1 254 |
— |
428 |
| Net interest (paid)/received |
(144 681) |
57 128 |
80 905 |
(9 726) |
(11 763) |
13 087 |
6 765 |
30 480 |
22 935 |
28 409 |
| Exceptional items1 |
(16 175) |
(16 175) |
(72 328) |
— |
— |
(238) |
(677) |
— |
63 836 |
— |
| Net profit/(loss) before tax |
426 066 |
(1 870 153) |
1 750 394 |
1 385 546 |
540 221 |
271 059 |
285 487 |
290 131 |
449 185 |
360 601 |
| Taxation |
(249 619) |
184 960 |
(382 943) |
(223 246) |
(127 410) |
(67 079) |
(66 598) |
(71 947) |
(96 072) |
(68 398) |
| Net profit/(loss) after tax |
176 447 |
(1 685 193) |
1 367 451 |
1 162 300 |
412 811 |
203 980 |
218 889 |
218 184 |
353 113 |
292 203 |
| Attributable to: |
|
|
|
|
|
|
|
|
|
|
| Ordinary shareholders |
88 973 |
(1 532 789) |
1 237 092 |
1 144 933 |
403 614 |
180 889 |
193 700 |
194 637 |
348 799 |
261 273 |
| Preference shareholders |
29 962 |
30 016 |
30 085 |
4 781 |
— |
— |
— |
— |
— |
— |
| Minority shareholders |
57 512 |
(182 420) |
100 274 |
12 586 |
9 197 |
23 091 |
25 189 |
23 547 |
4 314 |
30 930 |
| |
176 447 |
(1 685 193) |
1 367 451 |
1 162 300 |
412 811 |
203 980 |
218 889 |
218 184 |
353 113 |
292 203 |
| CASH FLOW STATEMENT |
|
|
|
|
|
|
|
|
|
|
| Cash from operations |
372 046 |
391 417 |
370 203 |
359 932 |
311 772 |
373 945 |
364 989 |
325 755 |
417 692 |
344 307 |
| Working capital changes |
(9 101) |
(120 268) |
(41 930) |
(23 357) |
123 739 |
(17 407) |
(76 626) |
(56 667) |
(113 931) |
(104 189) |
| Cash generated from operations |
362 945 |
271 149 |
328 273 |
336 575 |
435 511 |
356 538 |
288 363 |
269 088 |
303 761 |
240 118 |
| Net interest (paid)/received |
(93 179) |
73 134 |
80 905 |
(9 726) |
(9 525) |
13 087 |
6 765 |
30 480 |
22 935 |
28 409 |
| Investment income |
51 751 |
11 263 |
11 590 |
3 575 |
2 415 |
3 895 |
17 222 |
18 371 |
20 718 |
24 951 |
| Taxation paid |
(120 927) |
(146 743) |
(80 951) |
(80 660) |
(75 469) |
(42 641) |
(84 169) |
(109 699) |
(80 111) |
(72 878) |
| Cash available from operating activities |
200 590 |
208 803 |
339 817 |
249 764 |
352 932 |
330 879 |
228 181 |
208 240 |
267 303 |
220 600 |
| Cash effects of investing activities |
(52 400) |
(1 904 183) |
734 420 |
(375 877) |
(393 413) |
(145 785) |
(90 700) |
221 670 |
(160 353) |
(189 984) |
| Cash effects of financing activities |
(434 237) |
1 244 770 |
(217 858) |
541 465 |
(27 874) |
(209 549) |
(331 917) |
(306 449) |
116 287 |
(90 382) |
| Dividends paid |
(115 481) |
(30 016) |
(30 085) |
(67 316) |
(195 058) |
(26 668) |
(55 081) |
(39 244) |
(14 890) |
(5 867) |
| Net movement in cash and cash equivalents |
(401 528) |
(480 626) |
826 294 |
348 036 |
(263 413) |
(51 123) |
(249 517) |
84 217 |
208 347 |
(65 633) |